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Kolon Industries (120110) investor relations material
Kolon Industries Q2 2026 earnings summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Executive summary
Revenue reached KRW 1,356.5 billion, up 7.8% year-over-year and 9.6% quarter-over-quarter, driven by strong Chemical segment performance and seasonal gains in Fashion.
Operating profit surged to KRW 98.7 billion, up 118.0% year-over-year and 59.5% quarter-over-quarter, with improvements in Aramid, Tire Cord, and Chemical segments.
Net profit was KRW 66.0 billion, up 126.7% year-over-year but down 17.2% sequentially.
Financial highlights
Gross profit margin improved to 29%, with operating margin at 8% and EBITDA margin at 12% for Q2 2026.
Debt to equity ratio stood at 87%, and net debt ratio increased to 64%.
Total assets rose to KRW 8,074.2 billion, with equity at KRW 4,328.3 billion.
Outlook and guidance
Management expects continued growth momentum in the Chemical segment and stable performance in Fashion, with ongoing focus on operational efficiencies and product mix improvements.
- H1 2024 sales reached ₩2.45 trillion, with PET film business to be spun off into a JV.120110
Q2 202423 Jun 2026 - Sales up YoY in 3Q24 but net profit negative; major expansions and restructuring ongoing.120110
Q3 202423 Jun 2026 - Q1 2026 saw profits and margins surge on industrial materials, chemicals, and cost controls.120110
Q1 202622 Jun 2026 - Q4 2025 revenue fell 7.4% YoY, operating profit plunged, and net income turned negative.120110
Q4 20252 Mar 2026 - 4Q24 sales up 5.9% YoY, net profit rebounds, and debt ratio improves to 92%.120110
Q4 20245 Jun 2025
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